Strategic Equity Derivatives Trader
6 days ago
Boadilla del Monte
Overview Aunque la experiencia profesional y las cualificaciones son clave para este puesto, asegúrese de comprobar si posee las habilidades interpersonales preferibles antes de solicitar, si se requieren. Santander Corporate & Investment Banking (Santander CIB) is a global division that supports some of the world's most complex corporate and institutional clients, offering customized wholesale services. As part of Santander's transformation into a technology‑driven organization, we value bold thinking, innovation and customer‑centricity. We are seeking a Strategic Equity Derivatives Trader based in Boadilla del Monte, Madrid who will manage market risk, price and execute equity derivative instruments for institutional and corporate clients. Responsibilities • Manage the market risk of the Strategic Equity Derivatives trading book in line with the desk's risk appetite and limits., • Price and execute Strategic Equity Derivatives transactions for institutional and corporate clients., • Work closely with Sales, Structuring, Risk, Quants and other Global Markets teams to deliver tailored client solutions., • Collaborate with trading teams across our global platform to ensure consistent pricing, risk management and client coverage., • Monitor market developments, identify trading opportunities and implement effective hedging strategies., • Contribute to the continued development of the Strategic Equity Derivatives franchise through product expertise, innovation and process improvements., • Maintain the highest standards of governance, control and risk management while supporting the growth of the business. Qualifications Professional Experience • Minimum 2 years’ experience in a trading role within Global Markets., • Experience trading equity derivatives and managing market risk., • Experience with Strategic Equity Derivatives products or structured equity solutions (preferred). Education • University degree in Finance, Economics, Mathematics, Engineering or another quantitative discipline., • Postgraduate qualification (e.g., MSc or CFA) is advantageous (preferred). Languages • English (required)., • Spanish (preferred). Hard Skills • Strong understanding of equity derivatives, pricing and market risk management., • Bloomberg and advanced Excel skills., • Programming knowledge (Python, VBA or similar) and experience with trading analytics tools (preferred). Soft Skills • Strong analytical and quantitative mindset., • Excellent communication and collaboration skills., • Ability to make sound decisions under pressure in a fast‑paced trading environment., • Proactive approach to problem solving and continuous improvement., • High level of integrity and commitment to effective risk management. Benefits • Competitive salary with performance‑based bonuses., • Preferential banking terms, special interest rates on loans and life insurance., • Access to global learning platforms, including Santander Open Academy., • Wellness programme (BeHealthy) and health benefits., • Family‑friendly programmes, childcare support and legal/emotional advisory services., • Gym/WellHub membership, medical centres, meal subsidy, parking, shuttle service and exclusive discounts. Compliance Santander is an equal opportunity employer. We are committed to providing an inclusive and accessible application process for all candidates, regardless of age, gender, disability, civil status, race, religion or sexual orientation. xcskxlj Next Steps If you are interested in this role, please apply. #J-18808-Ljbffr